| 101 | Applied Materials Inc | 3 500 | 1,2 M $ | |
| 102 | Merck & Co Inc | 9 783 | 1,2 M $ | |
| 103 | Oracle Corp | 7 897 | 1,2 M $ | |
| 104 | Invesco QQQ Trust Series 1 | 1 911 | 1,1 M $ | |
| 105 | Wells Fargo & Co | 13 805 | 1,1 M $ | |
| 106 | Vanguard Index Funds | 3 576 | 1,1 M $ | |
| 107 | PepsiCo Inc | 6 911 | 1,1 M $ | |
| 108 | NextEra Energy Inc | 11 050 | 1 M $ | |
| 109 | McDonald's Corp. | 3 141 | 976,1 k $ | |
| 110 | Citigroup Inc | 8 606 | 976 k $ | |
| 111 | General Dynamics Corp | 2 823 | 968,8 k $ | |
| 112 | KLA Corp | 632 | 930,1 k $ | |
| 113 | Quanta Services Inc | 1 688 | 926,7 k $ | |
| 114 | American Express Co | 3 062 | 926,3 k $ | |
| 115 | State Street SPDR Nuveen ICE High Yield Municipal Bond ETF | 36 874 | 914,5 k $ | |
| 116 | Walt Disney Co/The | 9 301 | 896,5 k $ | |
| 117 | Morgan Stanley | 5 348 | 880,1 k $ | |
| 118 | Amphenol Corp | 6 921 | 874,4 k $ | |
| 119 | Salesforce Inc | 4 658 | 869,5 k $ | |
| 120 | Philip Morris International Inc. | 5 130 | 848,2 k $ | |
| 121 | Sempra | 8 684 | 843,8 k $ | |
| 122 | Analog Devices Inc | 2 615 | 831,9 k $ | |
| 123 | Vanguard Total Bond Market ETF | 11 280 | 830,7 k $ | |
| 124 | Carrier Global Corp | 14 725 | 829,1 k $ | |
| 125 | Amgen Inc | 2 300 | 809,1 k $ | |
| 126 | iShares Trust | 14 938 | 805,9 k $ | |
| 127 | iShares Trust | 10 709 | 796,2 k $ | |
| 128 | Abbott Laboratories | 7 706 | 791,2 k $ | |
| 129 | Taiwan Semiconductor Manufacturing Co Ltd | 2 336 | 789,5 k $ | |
| 130 | UnitedHealth Group Inc | 2 891 | 782,4 k $ | |
| 131 | Starbucks Corp | 8 661 | 775,9 k $ | |
| 132 | Capital One Financial Corp | 4 205 | 767,1 k $ | |
| 133 | Union Pacific Corp | 3 154 | 765,2 k $ | |
| 134 | Fair Isaac Corp | 707 | 754,8 k $ | |
| 135 | iShares Expanded Tech Sector ETF | 6 314 | 748,3 k $ | |
| 136 | Intuitive Surgical Inc | 1 609 | 741,7 k $ | |
| 137 | CoStar Group Inc | 18 124 | 731,1 k $ | |
| 138 | Uber Technologies Inc | 10 027 | 721,2 k $ | |
| 139 | Deere & Co | 1 278 | 719,7 k $ | |
| 140 | Stryker Corp | 2 185 | 718,1 k $ | |
| 141 | Lowe's Cos Inc | 3 002 | 709,4 k $ | |
| 142 | Intel Corp | 15 869 | 700,3 k $ | |
| 143 | Williams Cos Inc/The | 9 555 | 695,4 k $ | |
| 144 | Honeywell International Inc | 3 075 | 695,1 k $ | |
| 145 | iShares U.S. Financial Services ETF | 8 336 | 690,6 k $ | |
| 146 | SPDR Gold Shares | 1 586 | 682,4 k $ | |
| 147 | Blackrock Inc | 702 | 675,1 k $ | |
| 148 | Marriott International Inc/MD | 1 998 | 653,4 k $ | |
| 149 | Parker-Hannifin Corp | 719 | 643,7 k $ | |
| 150 | Pfizer Inc | 22 503 | 631,9 k $ | |
| 151 | Bristol-Myers Squibb Co | 10 199 | 618,5 k $ | |
| 152 | Thermo Fisher Scientific Inc | 1 257 | 617,9 k $ | |
| 153 | Intuit Inc | 1 421 | 614,5 k $ | |
| 154 | Newmont Corp | 5 659 | 612,6 k $ | |
| 155 | T-Mobile US Inc | 2 912 | 611,6 k $ | |
| 156 | iShares Trust | 6 268 | 609,4 k $ | |
| 157 | SentinelOne Inc | 46 775 | 602,5 k $ | |
| 158 | Vanguard High Dividend Yield E | 4 026 | 596,2 k $ | |
| 159 | ASML Holding NV | 448 | 591,7 k $ | |
| 160 | iShares Trust | 25 821 | 591,6 k $ | |
| 161 | Charles Schwab Corp/The | 6 240 | 586,4 k $ | |
| 162 | 3M Co | 4 024 | 584,4 k $ | |
| 163 | Boeing Co/The | 2 862 | 569,6 k $ | |
| 164 | O'Reilly Automotive Inc | 6 112 | 564,2 k $ | |
| 165 | Comcast Corp | 19 316 | 554,6 k $ | |
| 166 | iShares Trust | 3 974 | 549,9 k $ | |
| 167 | PNC Financial Services Group Inc/The | 2 611 | 543,4 k $ | |
| 168 | Welltower Inc | 2 679 | 529,6 k $ | |
| 169 | Arista Networks Inc | 4 281 | 525,6 k $ | |
| 170 | Vanguard Mega Cap Growth ETF | 1 426 | 524 k $ | |
| 171 | FedEx Corp | 1 470 | 523,6 k $ | |
| 172 | Janus Detroit Street Trust | 10 364 | 522 k $ | |
| 173 | S&P Global Inc | 1 204 | 511,9 k $ | |
| 174 | iShares Trust | 4 317 | 511,4 k $ | |
| 175 | CVS Health Corp | 7 107 | 510,4 k $ | |
| 176 | Duke Energy Corp | 3 873 | 507,1 k $ | |
| 177 | CME Group Inc | 1 688 | 498,7 k $ | |
| 178 | Otis Worldwide Corp | 6 445 | 496,8 k $ | |
| 179 | Automatic Data Processing Inc | 2 437 | 495,1 k $ | |
| 180 | HCA Healthcare Inc | 1 043 | 493,5 k $ | |
| 181 | iShares Trust | 2 565 | 491,9 k $ | |
| 182 | Howmet Aerospace Inc | 2 126 | 490 k $ | |
| 183 | iShares Core MSCI Total International Stock ETF | 5 627 | 487,6 k $ | |
| 184 | Crowdstrike Holdings Inc | 1 241 | 484,6 k $ | |
| 185 | Shell PLC | 5 176 | 481,4 k $ | |
| 186 | Waste Management Inc | 2 065 | 474,5 k $ | |
| 187 | Altria Group, Inc. | 7 170 | 473,2 k $ | |
| 188 | Booking Holdings Inc | 112 | 469,6 k $ | |
| 189 | Prologis Inc | 3 530 | 466,6 k $ | |
| 190 | L3Harris Technologies Inc | 1 336 | 461,1 k $ | |
| 191 | Marsh & McLennan Cos Inc | 2 630 | 456,1 k $ | |
| 192 | Kroger Co/The | 6 296 | 455,6 k $ | |
| 193 | Vertiv Holdings Co | 1 813 | 454,4 k $ | |
| 194 | Consolidated Edison Inc | 3 998 | 452,5 k $ | |
| 195 | Colgate-Palmolive Co | 5 298 | 451,5 k $ | |
| 196 | Warner Bros Discovery Inc | 16 179 | 444,3 k $ | |
| 197 | Vertex Pharmaceuticals Inc | 995 | 444,2 k $ | |
| 198 | Vanguard Scottsdale Funds | 4 421 | 442,9 k $ | |
| 199 | Bank of New York Mellon Corp/The | 3 731 | 442,6 k $ | |
| 200 | Freeport-McMoRan Inc | 7 484 | 439,9 k $ | |